Findlay Park Partners

Findlay Park Partners as of Dec. 31, 2024

Portfolio Holdings for Findlay Park Partners

Findlay Park Partners holds 59 positions in its portfolio as reported in the December 2024 quarterly 13F filing

Company (Ticker) Portfolio Weight Valued At Change in Shares Share Count Share Price
Accenture Plc Ireland Shs Class A (ACN) 3.9 $393M 1.1M 351.79
Liberty Media Corp Del Com Lbty One S C (FWONK) 3.6 $360M 3.9M 92.66
Microsoft Corporation (MSFT) 3.3 $330M 783k 421.50
UnitedHealth (UNH) 3.3 $329M 651k 505.86
Arthur J. Gallagher & Co. (AJG) 3.3 $328M 1.2M 283.85
Live Nation Entertainment (LYV) 3.1 $307M 2.4M 129.50
S&p Global (SPGI) 3.0 $298M 598k 498.03
Mastercard Incorporated Cl A (MA) 2.8 $277M 527k 526.57
West Pharmaceutical Services (WST) 2.7 $273M 835k 327.56
Gartner (IT) 2.6 $261M 538k 484.47
Charles Schwab Corporation (SCHW) 2.5 $248M 3.3M 74.01
Intuit (INTU) 2.4 $245M 390k 628.50
Canadian Pacific Kansas City (CP) 2.3 $234M 3.2M 72.37
Cbre Group Cl A (CBRE) 2.3 $230M 1.8M 131.29
Api Group Corp Com Stk (APG) 2.3 $229M 6.4M 35.97
EOG Resources (EOG) 2.1 $211M 1.7M 122.58
CRH Ord (CRH) 2.0 $202M 2.2M 92.52
Waters Corporation (WAT) 1.9 $195M 525k 370.98
AECOM Technology Corporation (ACM) 1.9 $192M 1.8M 106.82
Marsh & McLennan Companies (MMC) 1.9 $189M 888k 212.41
Kla Corp Com New (KLAC) 1.9 $187M 297k 630.12
Xpo Logistics Inc equity (XPO) 1.8 $185M 1.4M 131.15
Canadian Natl Ry (CNI) 1.8 $183M 1.8M 101.51
ConocoPhillips (COP) 1.8 $180M 1.8M 99.17
Topbuild (BLD) 1.7 $175M 562k 311.34
Thermo Fisher Scientific (TMO) 1.7 $171M 329k 520.23
Waste Connections (WCN) 1.7 $171M 998k 171.58
United Rentals (URI) 1.6 $164M 232k 704.44
Royal Gold (RGLD) 1.6 $161M 1.2M 131.85
Steris Shs Usd (STE) 1.6 $160M 778k 205.56
Medpace Hldgs (MEDP) 1.6 $157M 473k 332.23
Teledyne Technologies Incorporated (TDY) 1.5 $155M 334k 464.13
Agilent Technologies Inc C ommon (A) 1.5 $152M 1.1M 134.34
MarketAxess Holdings (MKTX) 1.5 $152M 671k 226.04
Intercontinental Exchange (ICE) 1.5 $151M 1.0M 149.01
Martin Marietta Materials (MLM) 1.5 $146M 283k 516.50
Berkshire Hathaway Inc Del Cl B New (BRK.B) 1.4 $144M 318k 453.28
Anthem (ELV) 1.4 $136M 369k 368.90
Hilton Worldwide Holdings (HLT) 1.3 $128M 517k 247.16
Msci (MSCI) 1.2 $122M 204k 600.01
Sherwin-Williams Company (SHW) 1.2 $118M 346k 339.93
Keysight Technologies (KEYS) 1.1 $114M 707k 160.63
Ecolab (ECL) 1.0 $105M 450k 234.32
Analog Devices (ADI) 1.0 $103M 487k 212.46
Autodesk (ADSK) 1.0 $99M 334k 295.57
Alcon Ord Shs (ALC) 1.0 $98M 1.2M 84.89
Danaher Corporation (DHR) 1.0 $98M 425k 229.55
Illumina (ILMN) 1.0 $97M 727k 133.63
Ferguson Enterprises Common Stock New (FERG) 0.9 $88M 506k 173.57
Pool Corporation (POOL) 0.9 $86M 252k 340.94
Equifax (EFX) 0.8 $85M 334k 254.85
Cdw (CDW) 0.8 $82M 469k 174.04
Applied Materials (AMAT) 0.7 $70M 427k 162.63
Globant S A (GLOB) 0.7 $66M 306k 214.42
Etsy (ETSY) 0.6 $65M 1.2M 52.89
Texas Instruments Incorporated (TXN) 0.6 $60M 318k 187.51
IDEX Corporation (IEX) 0.6 $59M 283k 209.29
Itt (ITT) 0.6 $58M 409k 142.88
Liberty Media Corp Del Com Lbty Liv S C (LLYVK) 0.0 $2.5M 37k 68.06